|
||||
Title
of Each Class of Securities Offered
|
|
Maximum
Aggregate Offering Price
|
|
Amount
of Registration Fee(1)
|
Medium-Term
Notes, Series B
|
|
$1,235,000,000
|
|
$132,145
|
PRICING
SUPPLEMENT NO. 9
|
Rule 424(b)(2)
|
DATED:
January 9, 2007
|
File
No. 333-136666
|
Principal
Amount: $1,235,000,000
|
Floating
Rate Notes [x]
|
Book
Entry Notes [x]
|
Original
Issue Date: 1/12/2007
|
Fixed
Rate Notes [ ]
|
Certificated
Notes [ ]
|
Maturity
Date: 1/9/2008
|
CUSIP#:
073928T37
|
Option
to Extend Maturity:
|
No
Yes
|
[x]
[ ] Final
Maturity Date:
|
Redeemable
On
|
Redemption
Price(s)
|
Optional
Repayment
Date(s)
|
Optional
Repayment
Price(s)
|
|||
N/A
|
N/A
|
N/A
|
N/A
|
Interest
Rate Basis:
|
Maximum
Interest Rate: N/A
|
[ ] Commercial
Paper Rate
|
Minimum
Interest Rate: N/A
|
[ ] Federal
Funds Effective Rate
|
|
[ ] Federal
Funds Open Rate
|
Interest
Reset Date(s): Daily
|
[ ] Treasury
Rate
|
Interest
Reset Period: Daily
|
[ ] LIBOR
Reuters
|
Interest
Payment Date(s): *
|
[ ] LIBOR
Telerate
|
|
[x] Prime
Rate +
|
|
[ ] CMT
Rate
|
|
Initial
Interest Rate: 5.33%
|
Interest
Payment Period: Quarterly
|
Index
Maturity: N/A
|
|
Spread
(plus or minus): -2.92%
|
+
|
Prime
Rate as reported on Telerate Page 5 under the heading “Bank
Rates/Prime.”
|
*
|
On
April 9, 2007 and on the 9th of July, October, January and April
thereafter, up to and including the maturity
date.
|